CHIPMOS TECHNOLOGIES INC - SPONSORD ADS NEW (IMOS)

Historical Holders from Q3 2018 to Q3 2025

Symbol
IMOS on Nasdaq
Type / Class
Equity / SPONSORD ADS NEW
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
2,171,619
Holdings value
$41,506,626
% of all portfolios
0%
Number of holders
51
Number of buys
19
Number of sells
-21
Average buys %
+0%
Average sells %
-0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of CHIPMOS TECHNOLOGIES INC - SPONSORD ADS NEW (IMOS)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 2,171,619 $41,506,626 -$834,337 $19.11 51
2025 Q2 2,215,453 $40,109,266 +$559,228 $18.11 51
2025 Q1 2,193,488 $36,922,571 -$969,619 $16.84 46
2024 Q4 2,244,871 $42,257,331 -$4,118,106 $18.83 50
2024 Q3 2,377,808 $55,582,019 -$5,882,560 $23.4 56
2024 Q2 2,633,744 $68,800,917 -$803,907 $26.11 59
2024 Q1 2,681,168 $84,292,433 +$25,878 $31.45 61
2023 Q4 2,689,489 $73,113,049 +$625,498 $27.21 55
2023 Q3 2,665,068 $61,409,026 +$453,359 $23.05 48
2023 Q2 2,603,764 $61,664,284 -$858,422 $23.69 45
2023 Q1 2,635,824 $66,137,580 -$121,680 $25.11 46
2022 Q4 2,647,988 $56,731,848 +$922,948 $21.43 45
2022 Q3 2,613,067 $48,715,873 -$342,191 $18.53 47
2022 Q2 2,546,390 $63,673,675 -$2,443,750 $24.98 44
2022 Q1 2,655,664 $94,353,145 +$139,169 $35.53 51
2021 Q4 2,608,539 $91,610,013 -$1,440,943 $35.12 47
2021 Q3 2,651,590 $90,751,582 +$10,271,741 $34.23 53
2021 Q2 2,351,627 $79,959,959 +$514,144 $33.98 39
2021 Q1 2,339,145 $73,910,573 +$2,303,671 $31.59 38
2020 Q4 2,297,980 $55,952,452 -$4,713,101 $24.36 35
2020 Q3 2,536,113 $48,850,141 -$653,672 $19.26 31
2020 Q2 2,563,254 $58,105,430 +$937,486 $22.67 32
2020 Q1 2,525,097 $44,137,008 -$1,260,323 $17.51 31
2019 Q4 2,578,460 $58,307,078 +$2,764,858 $22.61 34
2019 Q3 2,456,444 $49,837,000 +$4,470,828 $20.29 29
2019 Q2 2,266,800 $34,862,000 -$148,885 $15.38 25
2019 Q1 2,275,982 $38,426,000 +$921,850 $16.89 24
2018 Q4 2,218,636 $37,330,000 +$35,256,371 $16.83 20
2018 Q3 122,702 $1,876,000 +$1,876,000 $15.3 2